Georgia Economic Update, Fall 2015 : Absorbing External Shocks

This report is the second edition in series of economic updates designed to monitor and assess recent developments in Georgia. It presents a concise overview of macroeconomic, political and structural indicators during the first half of 2015 and si...

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Main Author: World Bank Group
Format: Report
Language:English
en_US
Published: World Bank, Washington, DC 2016
Subjects:
NPL
TAX
Online Access:http://documents.worldbank.org/curated/en/2015/12/25480981/georgia-absorbing-external-shocks
http://hdl.handle.net/10986/23598
id okr-10986-23598
recordtype oai_dc
spelling okr-10986-235982021-04-23T14:04:15Z Georgia Economic Update, Fall 2015 : Absorbing External Shocks World Bank Group DEBT SOURCE CURRENCY MISMATCHES TARIFFS CONTINGENT LIABILITIES MONETARY POLICY DEFICIT WITHDRAWAL NATIONAL SAVING NPL PROFIT MARGINS DEPOSITS STOCK VALUATION DOMESTIC BORROWING DEBTORS FOREIGN EXCHANGE MARKET INTEREST MACROECONOMIC MANAGEMENT TRADE CREDITS DEBT STOCK INFLATIONARY EXPECTATIONS INTEREST RATE EXCHANGE ECONOMIC DEVELOPMENTS MACROECONOMIC POLICY DEBT MANAGEMENT LIQUIDITY TAX COLLECTION NATIONAL SAVINGS TOTAL DEBT REVENUES PORTFOLIO FISCAL POLICY LOAN TAX RESERVE MARKET ACCESS INFLATION PENSION INSTRUMENTS BUDGET CENTRAL BANK MATURITY MACROECONOMIC STABILITY LABOR MARKET TRADE BALANCE OIL PRICES CURRENCY TELECOMMUNICATIONS CONSOLIDATION PROCESS COMMERCIAL BANK DEBTS CAPITAL FORMATION TRADING INTEREST RATES MONETARY FUND FLEXIBLE EXCHANGE RATE FINANCIAL INSTITUTIONS DEBT MARKETS PRIVATE INVESTMENT RETURN DEFICITS INFLATION RATE DOMESTIC DEBT DIRECT INVESTMENT LOANS RESERVES INVENTORIES PORTFOLIO INVESTMENTS DEBT SERVICE GROSS DOMESTIC PRODUCT FINANCIAL HEALTH FINANCE FIXED INTEREST RATES FOREIGN CURRENCY PUBLIC INVESTMENT INTERNATIONAL FINANCIAL INSTITUTIONS TAXES BANKING SECTOR FLOATING EXCHANGE RATE FISCAL DEFICIT EXPENDITURE TRANSACTION REPAYMENT RISKS INVESTORS FOREIGN EXCHANGE RESERVES INTEREST PAYMENTS DEBT-SERVICE FIXED INTEREST MARKET CONDITIONS PENSIONS FOREIGN DIRECT INVESTMENT FIXED CAPITAL TREASURY BILLS SHORT-TERM DEBT BUDGETS FOREIGN INVESTMENT SAFETY NET PRICE RISK PRICE STABILITY REPAYMENT EXPENDITURES ISSUANCE CURRENT ACCOUNT DEFICIT TAX RATES T-BILL COUPON RATE MARKET T-BILLS FOREIGN EXCHANGE LOCAL CURRENCY SECURITIES PUBLIC DEBT BALANCE OF PAYMENT TREASURY INFLATION RATES CURRENCIES TRADE SECTORS INTERESTS CURRENCY DEPRECIATION CORPORATE DEBT GOODS SECURITY NONPERFORMING LOAN NATIONAL BANK INVESTMENT EUROBOND COMMERCIAL BANKS SHARE POVERTY FINANCIAL RISKS PRIVATE INVESTORS COUPON REVENUE EXTERNAL DEBT PROFIT INVESTMENTS CONSUMER PRICE INDEX LENDING INTEREST RATE RISK PUBLIC SECTOR DEBT CREDIT GROWTH LIQUIDITY RATIO MATURITIES EXCHANGE RATE PUBLIC DEBT STOCK REMITTANCES PUBLIC SPENDING LIABILITIES CAPITAL ACCOUNT DEVELOPMENT BANK NONPERFORMING LOANS EXTERNAL BORROWING This report is the second edition in series of economic updates designed to monitor and assess recent developments in Georgia. It presents a concise overview of macroeconomic, political and structural indicators during the first half of 2015 and situates them in the context of Georgia’s evolving external environment. 2016-01-07T23:06:40Z 2016-01-07T23:06:40Z 2015-11 Report http://documents.worldbank.org/curated/en/2015/12/25480981/georgia-absorbing-external-shocks http://hdl.handle.net/10986/23598 English en_US CC BY 3.0 IGO http://creativecommons.org/licenses/by/3.0/igo/ World Bank World Bank, Washington, DC Economic & Sector Work :: Economic Updates and Modeling Economic & Sector Work Europe and Central Asia Georgia
repository_type Digital Repository
institution_category Foreign Institution
institution Digital Repositories
building World Bank Open Knowledge Repository
collection World Bank
language English
en_US
topic DEBT SOURCE
CURRENCY MISMATCHES
TARIFFS
CONTINGENT LIABILITIES
MONETARY POLICY
DEFICIT
WITHDRAWAL
NATIONAL SAVING
NPL
PROFIT MARGINS
DEPOSITS
STOCK
VALUATION
DOMESTIC BORROWING
DEBTORS
FOREIGN EXCHANGE MARKET
INTEREST
MACROECONOMIC MANAGEMENT
TRADE CREDITS
DEBT STOCK
INFLATIONARY EXPECTATIONS
INTEREST RATE
EXCHANGE
ECONOMIC DEVELOPMENTS
MACROECONOMIC POLICY
DEBT MANAGEMENT
LIQUIDITY
TAX COLLECTION
NATIONAL SAVINGS
TOTAL DEBT
REVENUES
PORTFOLIO
FISCAL POLICY
LOAN
TAX
RESERVE
MARKET ACCESS
INFLATION
PENSION
INSTRUMENTS
BUDGET
CENTRAL BANK
MATURITY
MACROECONOMIC STABILITY
LABOR MARKET
TRADE BALANCE
OIL PRICES
CURRENCY
TELECOMMUNICATIONS
CONSOLIDATION PROCESS
COMMERCIAL BANK
DEBTS
CAPITAL FORMATION
TRADING
INTEREST RATES
MONETARY FUND
FLEXIBLE EXCHANGE RATE
FINANCIAL INSTITUTIONS
DEBT
MARKETS
PRIVATE INVESTMENT
RETURN
DEFICITS
INFLATION RATE
DOMESTIC DEBT
DIRECT INVESTMENT
LOANS
RESERVES
INVENTORIES
PORTFOLIO INVESTMENTS
DEBT SERVICE
GROSS DOMESTIC PRODUCT
FINANCIAL HEALTH
FINANCE
FIXED INTEREST RATES
FOREIGN CURRENCY
PUBLIC INVESTMENT
INTERNATIONAL FINANCIAL INSTITUTIONS
TAXES
BANKING SECTOR
FLOATING EXCHANGE RATE
FISCAL DEFICIT
EXPENDITURE
TRANSACTION
REPAYMENT RISKS
INVESTORS
FOREIGN EXCHANGE RESERVES
INTEREST PAYMENTS
DEBT-SERVICE
FIXED INTEREST
MARKET CONDITIONS
PENSIONS
FOREIGN DIRECT INVESTMENT
FIXED CAPITAL
TREASURY BILLS
SHORT-TERM DEBT
BUDGETS
FOREIGN INVESTMENT
SAFETY NET
PRICE RISK
PRICE STABILITY
REPAYMENT
EXPENDITURES
ISSUANCE
CURRENT ACCOUNT DEFICIT
TAX RATES
T-BILL
COUPON RATE
MARKET
T-BILLS
FOREIGN EXCHANGE
LOCAL CURRENCY
SECURITIES
PUBLIC DEBT
BALANCE OF PAYMENT
TREASURY
INFLATION RATES
CURRENCIES
TRADE SECTORS
INTERESTS
CURRENCY DEPRECIATION
CORPORATE DEBT
GOODS
SECURITY
NONPERFORMING LOAN
NATIONAL BANK
INVESTMENT
EUROBOND
COMMERCIAL BANKS
SHARE
POVERTY
FINANCIAL RISKS
PRIVATE INVESTORS
COUPON
REVENUE
EXTERNAL DEBT
PROFIT
INVESTMENTS
CONSUMER PRICE INDEX
LENDING
INTEREST RATE RISK
PUBLIC SECTOR DEBT
CREDIT GROWTH
LIQUIDITY RATIO
MATURITIES
EXCHANGE RATE
PUBLIC DEBT STOCK
REMITTANCES
PUBLIC SPENDING
LIABILITIES
CAPITAL ACCOUNT
DEVELOPMENT BANK
NONPERFORMING LOANS
EXTERNAL BORROWING
spellingShingle DEBT SOURCE
CURRENCY MISMATCHES
TARIFFS
CONTINGENT LIABILITIES
MONETARY POLICY
DEFICIT
WITHDRAWAL
NATIONAL SAVING
NPL
PROFIT MARGINS
DEPOSITS
STOCK
VALUATION
DOMESTIC BORROWING
DEBTORS
FOREIGN EXCHANGE MARKET
INTEREST
MACROECONOMIC MANAGEMENT
TRADE CREDITS
DEBT STOCK
INFLATIONARY EXPECTATIONS
INTEREST RATE
EXCHANGE
ECONOMIC DEVELOPMENTS
MACROECONOMIC POLICY
DEBT MANAGEMENT
LIQUIDITY
TAX COLLECTION
NATIONAL SAVINGS
TOTAL DEBT
REVENUES
PORTFOLIO
FISCAL POLICY
LOAN
TAX
RESERVE
MARKET ACCESS
INFLATION
PENSION
INSTRUMENTS
BUDGET
CENTRAL BANK
MATURITY
MACROECONOMIC STABILITY
LABOR MARKET
TRADE BALANCE
OIL PRICES
CURRENCY
TELECOMMUNICATIONS
CONSOLIDATION PROCESS
COMMERCIAL BANK
DEBTS
CAPITAL FORMATION
TRADING
INTEREST RATES
MONETARY FUND
FLEXIBLE EXCHANGE RATE
FINANCIAL INSTITUTIONS
DEBT
MARKETS
PRIVATE INVESTMENT
RETURN
DEFICITS
INFLATION RATE
DOMESTIC DEBT
DIRECT INVESTMENT
LOANS
RESERVES
INVENTORIES
PORTFOLIO INVESTMENTS
DEBT SERVICE
GROSS DOMESTIC PRODUCT
FINANCIAL HEALTH
FINANCE
FIXED INTEREST RATES
FOREIGN CURRENCY
PUBLIC INVESTMENT
INTERNATIONAL FINANCIAL INSTITUTIONS
TAXES
BANKING SECTOR
FLOATING EXCHANGE RATE
FISCAL DEFICIT
EXPENDITURE
TRANSACTION
REPAYMENT RISKS
INVESTORS
FOREIGN EXCHANGE RESERVES
INTEREST PAYMENTS
DEBT-SERVICE
FIXED INTEREST
MARKET CONDITIONS
PENSIONS
FOREIGN DIRECT INVESTMENT
FIXED CAPITAL
TREASURY BILLS
SHORT-TERM DEBT
BUDGETS
FOREIGN INVESTMENT
SAFETY NET
PRICE RISK
PRICE STABILITY
REPAYMENT
EXPENDITURES
ISSUANCE
CURRENT ACCOUNT DEFICIT
TAX RATES
T-BILL
COUPON RATE
MARKET
T-BILLS
FOREIGN EXCHANGE
LOCAL CURRENCY
SECURITIES
PUBLIC DEBT
BALANCE OF PAYMENT
TREASURY
INFLATION RATES
CURRENCIES
TRADE SECTORS
INTERESTS
CURRENCY DEPRECIATION
CORPORATE DEBT
GOODS
SECURITY
NONPERFORMING LOAN
NATIONAL BANK
INVESTMENT
EUROBOND
COMMERCIAL BANKS
SHARE
POVERTY
FINANCIAL RISKS
PRIVATE INVESTORS
COUPON
REVENUE
EXTERNAL DEBT
PROFIT
INVESTMENTS
CONSUMER PRICE INDEX
LENDING
INTEREST RATE RISK
PUBLIC SECTOR DEBT
CREDIT GROWTH
LIQUIDITY RATIO
MATURITIES
EXCHANGE RATE
PUBLIC DEBT STOCK
REMITTANCES
PUBLIC SPENDING
LIABILITIES
CAPITAL ACCOUNT
DEVELOPMENT BANK
NONPERFORMING LOANS
EXTERNAL BORROWING
World Bank Group
Georgia Economic Update, Fall 2015 : Absorbing External Shocks
geographic_facet Europe and Central Asia
Georgia
description This report is the second edition in series of economic updates designed to monitor and assess recent developments in Georgia. It presents a concise overview of macroeconomic, political and structural indicators during the first half of 2015 and situates them in the context of Georgia’s evolving external environment.
format Report
author World Bank Group
author_facet World Bank Group
author_sort World Bank Group
title Georgia Economic Update, Fall 2015 : Absorbing External Shocks
title_short Georgia Economic Update, Fall 2015 : Absorbing External Shocks
title_full Georgia Economic Update, Fall 2015 : Absorbing External Shocks
title_fullStr Georgia Economic Update, Fall 2015 : Absorbing External Shocks
title_full_unstemmed Georgia Economic Update, Fall 2015 : Absorbing External Shocks
title_sort georgia economic update, fall 2015 : absorbing external shocks
publisher World Bank, Washington, DC
publishDate 2016
url http://documents.worldbank.org/curated/en/2015/12/25480981/georgia-absorbing-external-shocks
http://hdl.handle.net/10986/23598
_version_ 1764454209728544768